In a #ThrowbackThursday of sorts, we’re bringing you an episode recorded pre-pandemic where we hit the road and traveled to Utah to interview the brain behind Certeza Asset Management, Founder and CIO – Brett Nelson. Brett is another guest deserving of the moniker VIXpert – having been trading the VIX since it first entered the […]
Category: VIX and Volatility
Seeking Options Expertise
There was an interesting back and forth between our own Jeff Malec and Sean Brown of YCharts on a recent episode of ‘The Derivative’, talking what the responsibilities of a FinTech software platform are in terms of balancing nice looking GUIs and gamifying investing, and the responsibility to make sure that the users actually know […]
$TVIX gets Terminated – What^%$# on The Derivative
Similar to how we quickly grabbed some experts to discuss Crude Oil going negative, we grabbed some VIX experts as soon as the news hit this week that Credit Suisse was pulling the plug on one of the biggest VIX tracking exchange traded products. What will this do to VIX futures volume, liquidity, and the […]
Noodling on Ensembles, Trend, & Convexity with Newfound’s Corey Hoffstein on The Derivative
Our guest today is the Co-founder & CEO of Newfound Research, host of the popular podcast Flirting with Models, and FinTwit “influencer” – Corey Hoffstein. In this episode, we’re talking with Corey about the impact of “data”, the juvenile meaning behind Flirting with Models, 1000s of flavors of trend, hitting the gym, the founding of […]
Navigating Market Volatility on The Derivative
$VIX lovers/followers/haters/enthusiasts – this one’s for you. In this episode, we’re joined by a powerhouse group of volatility experts consisting of Kevin Davitt, Wayne Himelsein, Jason Buck, and Bastian Bolesta & Jeff Malec discussing Navigating Market Volatility. Providing more than just witty banter, you’ll to these guys talk about how crazy volatility was during March/April, […]
Tail Risk Hedging, Part IV
We’ve been talking about alternative investments that perform in a crisis for as long as we can remember. We typically refer to these as ‘long volatility’ type investments, that prefer and perform in periods of increasing market volatility. But we have also thrown around the terms crisis period performer (as opposed to absolute return performer). […]
Valuing VIX and Volatility with Joe Tigay on The Derivative
VIX and volatility are buzz words that every trader knows, thinks about, and maybe even utilizes. But VIX and volatility are subjects to not be taken too lightly – experts like Joe Tigay of Equity Armor Investments have spent years and years perfecting an understanding of the VIX curve, skew, and timing to get in […]
The Principles of VIX Trading on The Derivative
The early world of VIX trading can be closely likened to the wild, wild West – or as some say – fun. Competition was lower, there were less algos and AI integration, and overall had lower volume and liquidity. And now – the VIX is an established and globally recognized gauge of U.S. equity market […]
Trading Chinese Futures Markets with Abingdon Global on The Derivative
The Chinese market is a sleeping/awakening/already awake dragon that cannot be ignored. Their futures market had the highest trade volumes in the world last year, the amount of liquid cash available in the country as a whole, and the opportunity of the emerging market (throwing back to circa 70/80s US market) with high volatility. And […]
Trading Commodity Volatility: A woman’s perspective on The Derivative
Trading commodity volatility is a unique topic all on its own, but add in hedge fund manager Kimberly Rios, and you’ve got what we calculated as a 1 in 10,000 manager; how’s that for unique? Kimberly heads up the Catalyst Hedged Futures Strategy Fund and trades in and out of different volatility regimes in the […]